ive got a pretty simple question: would people rather:
A - hold a company with good fundamentals but a bad chart
B - hold a company with a good chart but questionable fundamentals
???
i feel like selling a good portion of my holding and buying back only when NC puts his own cash into the stock (which i think he will when his banker mates tell him its time and it will signal the beginning of the next move up...)
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21 | 31772 | 6.010 |
15 | 71736 | 6.000 |
13 | 117300 | 5.990 |
9 | 23104 | 5.980 |
Price($) | Vol. | No. |
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